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Financial Instruments and Risk Management (Tables)
12 Months Ended
Mar. 31, 2022
Disclosure of detailed information about financial instruments [abstract]  
Schedule of classified as financial assets and liabilities [Table Text Block]
    As at March 31, 2022     As at March 31, 2021  
                                     
Assets   Level 1     Level 2     Level 3     Level 1     Level 2     Level 3  
Cash       $ 5,318,922               $ 40,290,513        
Digital currencies       $ 170,000,412               $ 57,499,720        
Investments $ 12,524,161   $ -   $ 4,476,251   $ 981,736   $ -   $ -  
  $ 12,524,161   $ 175,319,334   $ 4,476,251   $ 981,736   $ 97,790,233   $ -  
                                     
Liabilities                                    
Convertible loan -derivative component (restated) $ -   $ -   $ 4,986,354   $ -   $ -   $ 15,737,578  
  $ -   $ -   $ 4,986,354   $ -   $ -   $ 15,737,578  
Schedule of reconciliation of Level 3 assets and liabilities [Table Text Block]
    Fair value at                 Change in fair     Fair Value at,  
Level 3 Continuity   March 31, 2021     Additions     Disposals     value     March 31,2022  
Assets                              
Investments $ -   $ 3,579,581   $ -   $ 896,670   $ 4,476,251  
  $ -   $ 3,579,581   $ -   $ 896,670   $ 4,476,251  
Liabilities                              
Convertible loan - derivative component (restated) $ 15,737,578   $ -   $ -   $ (10,751,225 ) $ 4,986,353  
  $ 15,737,578   $ -   $ -   $ (10,751,225 ) $ 4,986,353  
Schedule of liquidity risk [Table Text Block]
    Contractual
ash flows
    within 1 year     1 to 3 years     3 to 5 years     5+ years  
Accounts payable and accrued liabilities $ 8,650,710   $ 8,650,710   $ -   $ -   $ -  
Term loan   9,517,292     9,517,292     -     -     -  
Convertible loan   13,169,761     3,817,336     6,923,566     2,428,859     -  
Lease commitments   14,455,466     2,774,087     5,535,148     4,810,730     1,335,501  
Loans payable and interest   17,146,576     1,317,737     2,592,561     2,535,342     10,700,936  
Total $ 62,939,805   $ 26,077,162   $ 15,051,275   $ 9,774,931   $ 12,036,437  
Schedule of effect of changes in foreign exchange rates [Table Text Block]
    Net Monetary Position     Impact of 10% variance  
    March 31, 2022     in foreign exchange rate  
    (USD$equivalent)     (in foreign currency)  
US Dollars   2,906,380     264,216  
Canadian Dollars   412,234     29,981  
Swiss Francs   (153,987 )   15,119  
Swedish Krona   1,976,320     19,763  
Icelandic Krona   2,930,437     2,078